05 Aug 2021 18:16:00
Report NAV As of June 30,2021.
Report on Net Assets Value (NAV) per unit Subject : Report NAV As of June 30,2021. Name : AMATA B. GRIMM POWER POWER PLANT INFRASTRUCTURE FUND (ABPIF) NAV as of : 30-Jun-2021 Net Assets Value (Baht per unit) : 2.9190 Net Assets Value (Baht) : 1,751,423,301.66 Total Assets Value (Baht) : 1,759,128,438.80 Balance Units (Units) : 600,000,000.0000 Authorized to sign on behalf of the : Mr.Worawit Supcharoenlert company Position : Head, Mutual Fund Accounting ______________________________________________________________________ This announcement was prepared and disseminated by listed company or issuer through the electronic system which is provided for the purpose of dissemination of the information and related documents of listed company or issuer to the Stock Exchange of Thailand only. The Stock Exchange of Thailand has no responsibility for the correctness and completeness of any statements, figures, reports or opinions contained in this announcement, and has no liability for any losses and damages in any cases. In case you have any inquiries or clarification regarding this announcement, please directly contact listed company or issuer who made this announcement.